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Stock Standard Deviation Beta A 14% 0.55 B 10% 0.61 C 8% 1.29 Yoy have the data on three stocks as shown in the picture.
Stock | Standard Deviation | Beta | |
A | 14% | 0.55 | |
B | 10% | 0.61 | |
C | 8% | 1.29 |
Yoy have the data on three stocks as shown in the picture. If you are risk averse (a risk minimizer), you would choose stock _______ if it is to be held stand-alone, and stock ______ if it is to be held within a well-diversified portfolio.
A) A,B
B)C,A
C) A,C
D) B,A
E) B,B
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